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The expected return on the market portfolio is 15%. The risk-free rate is 5%. The expected return on SDA Corp. common stock is 18%. The

The expected return on the market portfolio is 15%. The risk-free rate is 5%. The expected return on SDA Corp. common stock is 18%. The beta of SDA Corp. common stock is 1.25. Within the context of the capital asset pricing model, ________.

SDA Corp. stocks alpha is -.5% and underpriced.

SDA Corp. stocks alpha is .5% and underpriced.

SDA Corp. stocks alpha is .5% and overpriced.

SDA Corp. stock's alpha is -.5% and overpriced.

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